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Financial Reports

As a responsible steward of taxpayer dollars, RAD conducts its financial management with the utmost transparency and accountability. 

RAD's monthly financial snapshots and reports include sales tax revenue charts (which reflect sales from approximately two months prior), schedules of allocations paid, and administrative check registers. 

Our Financial Reports Archive contains past audits as well as annual budget books.

For questions pertaining to RAD's finances, contact RAD financial analyst, Sharon Connors.

Click for the 2022 Preliminary Budget Book

Current Monthly Finances

Financial Snapshot

October Sales Tax Revenue

$9.57M

September Allocations Paid

$10,318,698

September Administrative Expenses

$76,634

Sales Tax Revenue - October 2021

Allocations Paid - September 2021

Administrative Expenses - September 2021

2019 Annual Report

Tracking the impact of RAD on a year-by-year basis.

Read Our Latest Annual Report